Recent Annual Filings for ESQ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,892,503,000 $113,373,000 $54,092,000 $42,606,000 $42,212,000 $227,174,000 $-38,880,000
2023 $1,616,876,000 $91,888,000 $36,006,000 $42,893,000 $42,401,000 $174,090,000 $1,087,000
2022 $1,395,639,000 $60,993,000 $22,192,000 $14,251,000 $38,797,000 $197,670,000 $14,966,000
2021 $1,178,770,000 $44,531,000 $21,823,000 $15,667,000 $30,079,000 $224,381,000 $83,971,000
2020 $936,714,000 $38,630,000 $21,463,000 $13,640,000 $15,590,000 $123,231,000 $3,379,000
2019 $798,008,000 $36,659,000 $17,521,000 $17,143,000 $14,895,000 $112,246,000 $31,244,000
2018 $663,899,000 $28,951,000 $17,027,000 $7,510,000 $9,428,000 $120,116,000 $-12,515,000
2017 $533,629,000 $20,394,000 $13,360,000 $3,360,000 $3,979,000 $104,896,000 $84,000